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CONSOLIDATED BALANCE SHEETS (USD $)
In Thousands, unless otherwise specified
Jun. 30, 2014
Mar. 31, 2014
Dec. 31, 2013
Sep. 13, 2013
Jun. 30, 2013
Dec. 31, 2012
Dec. 31, 2011
Dec. 31, 2010
Assets                
Cash and due from banks $ 673,972   $ 713,099     $ 722,039    
Federal funds sold and securities purchased under agreements to resell 14,813   32,924     4,421    
Securities:                
Trading, at fair value 61,663   58,846     90,113    
Available for sale, at fair value 1,201,778   1,203,143     990,953    
Total securities 1,328,716   1,261,989     1,081,066    
Loans held for sale 1,410,873   1,089,039     1,401,507    
Non-covered loans, net of unearned income 3,714,837   3,514,646     3,152,396    
Allowance for non-covered loan losses (36,431)   (33,241)     (3,409)    
Non-covered loans, net 3,678,406   3,481,405     3,148,987    
Covered loans, net of allowance 840,898   1,005,308          
Broker-dealer and clearing organization receivables 190,764   119,317     145,564    
Insurance premiums receivable 27,957   25,597     24,615    
Deferred policy acquisition costs 22,027   20,991     19,812 19,182  
Premises and equipment, net 201,545   200,706     111,381    
FDIC indemnification asset 175,114 188,736 188,291 185,680        
Covered other real estate owned 142,174 152,310 142,833 135,187        
Mortgage servicing rights 35,877   20,149     2,080    
Other assets 336,199   279,745     293,885    
Goodwill 251,808   251,808     253,770    
Other intangible assets, net 65,305   70,921     77,738    
Total assets 9,396,448   8,904,122     7,286,865    
Deposits:                
Noninterest-bearing 1,829,072   1,773,749     1,349,584    
Interest-bearing 4,326,238   4,949,169     3,350,877    
Total deposits 6,155,310   6,722,918     4,700,461    
Broker-dealer and clearing organization payables 227,891   129,678     187,990    
Reserve for losses and loss adjustment expenses 35,146   27,468   42,458 34,012 44,835 58,882
Unearned insurance premiums 94,611   88,422     82,598    
Short-term borrowings 1,187,193   342,087     728,250    
Notes payable 55,584   56,327     141,539    
Junior subordinated debentures 67,012   67,012     67,012    
Other liabilities 176,539   158,288     198,453    
Total liabilities 7,999,286   7,592,200     6,140,315    
Commitments and contingencies (see Notes 18 and 19)                   
Hilltop stockholders' equity:                
Preferred stock, $0.01 par value, 10,000,000 shares authorized; Series B, liquidation value per share of $1,000; 114,068 shares issued and outstanding 114,068   114,068     114,068    
Common stock, $0.01 par value, 100,000,000 shares authorized; 90,175,688 and 83,487,340 shares issued and outstanding, respectively 902   902     835    
Additional paid-in capital 1,387,883   1,388,641     1,304,448    
Accumulated other comprehensive income (loss) (2,501)   (34,863)     8,094    
Accumulated deficit (103,910)   (157,607)     (282,949)    
Total Hilltop stockholders' equity 1,396,442   1,311,141     1,144,496    
Noncontrolling interest 720   781     2,054    
Total stockholders' equity 1,397,162   1,311,922   1,171,800 1,146,550 655,383 653,055
Total liabilities and stockholders' equity $ 9,396,448   $ 8,904,122     $ 7,286,865